Components iShares Core FTSE 100 UCITS ETF - GBP

ETF

IUSZ

IE0005042456

Delayed Börse Stuttgart 05:30:06 2024-05-31 EDT 5-day change 1st Jan Change
9.522 EUR +0.26% Intraday chart for iShares Core FTSE 100 UCITS ETF - GBP -0.54% +9.78%

Composition of iShares Core FTSE 100 UCITS ETF - GBP

Weight
2,815 GBX +0.63%+1.48%+9.39%8.65%
12,078 GBX +0.42%-1.76%+13.96%8.02%
695.2 GBX +0.35%+0.20%+9.33%6.32%
4,262 GBX +0.08%-0.84%+12.11%4.91%
486.7 GBX +0.30%+0.63%+4.27%3.99%
5,510 GBX +0.41%-2.59%-5.71%3.28%
2,598 GBX -0.13%-3.55%-9.05%3.23%
1,752 GBX +1.26%-1.13%+20.98%3.02%
3,408 GBX +0.22%-3.15%+9.61%3.01%
482.8 GBX +0.18%-0.38%+2.12%2.97%
2,396 GBX +0.29%+0.25%+4.38%2.61%
9,168 GBX +0.79%-1.67%-1.14%2.15%
4,386 GBX +0.41%-0.39%-18.91%2.00%
868.5 GBX +3.02%-2.84%-18.32%2.00%
2,180 GBX -0.09%-1.87%+1.56%1.88%
1,384 GBX +0.80%-0.17%+24.59%1.72%
55.35 GBX -0.34%+1.10%+16.13%1.56%
3,608 GBX -0.51%-2.59%+12.90%1.51%
450.3 GBX -0.16%+1.17%+50.15%1.28%
14,500 GBX -3.17%-10.40%+2.78%1.25%
747.5 GBX -0.33%-2.56%-15.89%1.24%
2,498 GBX -0.47%-4.46%+26.78%1.23%
5,700 GBX 0.00%-0.11%+4.50%1.22%
2,864 GBX -0.75%-2.93%+18.28%1.19%
219.8 GBX +0.59%+1.44%+42.58%1.18%
309.6 GBX -0.63%-1.71%+6.57%1.05%
1,744 GBX +1.62%+0.06%-6.17%1.04%
324.6 GBX -0.05%+0.51%+0.93%0.91%
1,922 GBX -0.13%-0.75%+6.37%0.82%
74.73 GBX -0.07%+1.61%+8.93%0.77%
250.6 GBX -0.22%+1.10%-0.19%0.77%
781.2 GBX -0.03%+0.31%+17.04%0.74%
1,015 GBX -0.05%-4.29%-13.52%0.62%
317.6 GBX +0.43%+3.09%+44.48%0.62%
481.2 GBX +0.45%-1.50%+10.61%0.60%
7,810 GBX +0.72%-1.64%+10.10%0.60%
882.2 GBX -0.32%-2.14%+9.12%0.58%
411.2 GBX +0.39%+0.96%-6.53%0.58%
908.9 GBX -0.62%+1.43%+2.66%0.57%
2,969 GBX -0.44%-1.65%-6.83%0.56%
845 GBX +0.48%+0.09%+8.22%0.56%
9,331 GBX -0.05%-0.23%+15.10%0.51%
984.1 GBX -0.33%+0.65%-8.65%0.49%
2,235 GBX -0.58%-3.37%-2.06%0.44%
2,720 GBX +0.29%-0.11%+1.42%0.43%
45.46 EUR 0.00%-0.33%+26.67%0.42%
2,559 GBX -3.80%-5.91%+8.20%0.41%
143.8 GBX +3.32%+1.98%+2.35%0.40%
825.7 GBX +0.57%+0.27%+9.64%0.40%
129 GBX +0.12%+1.30%+4.17%0.40%
6e4abc94b286e50674628e7.luTVCGnhp7Fi_1rxduM4VWxLvMGE4QGWx_a3mabqxeE.opOeaza0l8sTniyuRa8IFyQk5qbJzHmln77A3u7T9q3zlJ9lKLDF6CrGCw

ETF Ratings

Description

IE0005042456
Total Expense Ratio 0.07%
Asset Class
Sector
Size
Currency
Provider
Underlying FTSE 100 Net of Tax Index - GBP

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
2000-04-25
Dividend Policy
Geographical Focus

Distribution

Retail investor
Qualified Investor

AuM evolution ( 2024-04-29 )

AuM (EUR) 13,966 M€
AuM 1M 13,583 M€
AuM 3 months 13,029 M€
AuM 6 months 12,233 M€
AuM 12 months 12,716 M€
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